US Stock MarketDetailed Quotes

HMY Harmony Gold Mining

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  • 9.260
  • +0.060+0.65%
Close Nov 26 16:00 ET
  • 9.260
  • 0.0000.00%
Post 17:37 ET
5.76BMarket Cap12.25P/E (TTM)

Harmony Gold Mining Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(Q4)Jun 30, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
57.32%15.65B
43.67%9.95B
-24.57%6.92B
94.35%9.18B
0.94%4.72B
20.47%4.68B
2.10%3.88B
-17.56%3.8B
113.69%4.61B
379.49%2.65B
Net income from continuing operations
78.17%11.77B
724.39%6.61B
-116.58%-1.06B
1,172.61%6.38B
78.33%-595M
41.66%-2.75B
-3,080.41%-4.71B
-109.18%-148M
130.14%1.61B
----
Operating gains losses
-398.00%-1.34B
211.81%449M
106.53%144M
-213.03%-2.2B
381.79%1.95B
-183.68%-692M
271.93%827M
-241.41%-481M
-59.82%340.14M
----
Depreciation and amortization
34.39%4.64B
-6.22%3.45B
-5.00%3.68B
10.52%3.88B
-13.47%3.51B
57.74%4.05B
2.02%2.57B
14.32%2.52B
-16.85%2.2B
----
Other non cash items
37.10%994M
226.58%725M
189.52%222M
-145.50%-248M
38.68%545M
736.17%393M
116.79%47M
-289.34%-280M
-53.64%147.89M
387.29%2.81B
Change In working capital
107.57%24M
-99.37%-317M
-126.90%-159M
207.85%591M
-27,300.00%-548M
97.75%-2M
67.40%-89M
-202.56%-273M
642.44%266.19M
----
-Change in receivables
58.85%-258M
-3,085.71%-627M
106.19%21M
2.87%-339M
-1,190.63%-349M
130.19%32M
74.08%-106M
-330.47%-409M
44.65%177.46M
----
-Change in inventory
83.77%-50M
-32.76%-308M
-527.03%-232M
75.33%-37M
-70.45%-150M
74.93%-88M
-1,562.50%-351M
-67.54%24M
--73.94M
----
-Change in payables and accrued expense
-46.28%332M
1,088.46%618M
-94.62%52M
2,073.47%967M
-190.74%-49M
-85.33%54M
228.57%368M
657.34%112M
108.61%14.79M
----
Cash from discontinued investing activities
Operating cash flow
57.32%15.65B
43.67%9.95B
-24.57%6.92B
94.35%9.18B
0.94%4.72B
20.47%4.68B
2.10%3.88B
-17.56%3.8B
113.69%4.61B
379.49%2.65B
Investing cash flow
Cash flow from continuing investing activities
21.09%-8.36B
-70.90%-10.6B
26.75%-6.2B
-137.89%-8.46B
25.83%-3.56B
40.59%-4.8B
-138.69%-8.08B
-27.09%-3.38B
14.24%-2.66B
-93.28%-1.38B
Net PPE purchase and sale
-10.53%-8.39B
-22.68%-7.59B
-20.64%-6.19B
-42.21%-5.13B
28.28%-3.61B
-10.33%-5.03B
-18.50%-4.56B
-54.88%-3.85B
17.34%-2.48B
-67.53%-1.21B
Net intangibles purchase and sale
----
----
----
----
----
----
---9M
--0
--0
----
Net business purchase and sale
96.40%-108M
---3B
--0
-5,738.98%-3.33B
84.38%59M
100.92%32M
-856.86%-3.47B
--459M
--0
----
Net other investing changes
2,450.00%141M
40.00%-6M
28.57%-10M
12.50%-14M
-109.30%-16M
637.50%172M
-633.33%-32M
103.38%6M
-106.64%-177.46M
-1,425.95%-162.67M
Cash from discontinued investing activities
Investing cash flow
21.09%-8.36B
-70.90%-10.6B
26.75%-6.2B
-137.89%-8.46B
25.83%-3.56B
40.59%-4.8B
-138.69%-8.08B
-27.09%-3.38B
14.24%-2.66B
-93.28%-1.38B
Financing cash flow
Cash flow from continuing financing activities
-555.19%-5.44B
203.74%1.19B
73.23%-1.15B
-199.86%-4.3B
1,032.89%4.31B
-89.79%380M
927.33%3.72B
73.31%-450M
-1,016.11%-1.69B
-264.37%-887.31M
Net issuance payments of debt
-396.22%-3.99B
286.96%1.35B
80.03%-721M
-528.74%-3.61B
398.22%842M
-94.12%169M
26,227.27%2.87B
99.35%-11M
-1,016.11%-1.69B
-264.37%-887.31M
Net common stock issuance
----
----
----
----
1,542.65%3.47B
-78.96%211M
--1B
--0
--0
----
Cash dividends paid
-833.12%-1.44B
64.19%-154M
37.13%-430M
-22,700.00%-684M
---3M
--0
64.92%-154M
---439M
--0
----
Net other financing activities
---5M
----
----
---5M
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-555.19%-5.44B
203.74%1.19B
73.23%-1.15B
-199.86%-4.3B
1,032.89%4.31B
-89.79%380M
927.33%3.72B
73.31%-450M
-1,016.11%-1.69B
-264.37%-887.31M
Net cash flow
Beginning cash position
17.12%2.87B
-13.16%2.45B
-55.66%2.82B
540.18%6.36B
40.65%993M
-43.34%706M
-0.80%1.25B
-3.49%1.26B
-38.33%1.3B
16.38%828.16M
Current changes in cash
239.56%1.85B
227.87%546M
88.09%-427M
-165.52%-3.58B
1,987.79%5.47B
155.98%262M
-1,513.79%-468M
-110.89%-29M
135.00%266.19M
1.10%384.5M
Effect of exchange rate changes
77.95%-28M
-326.79%-127M
21.74%56M
143.40%46M
-524.00%-106M
134.72%25M
-478.95%-72M
106.12%19M
-15.06%-310.56M
461.62%44.37M
End cash Position
63.69%4.69B
17.12%2.87B
-13.16%2.45B
-55.66%2.82B
540.18%6.36B
40.65%993M
-43.34%706M
-0.88%1.25B
16.43%1.26B
16.43%1.26B
Free cash flow
214.21%7.25B
225.07%2.31B
-82.41%710M
262.71%4.04B
411.76%1.11B
48.03%-357M
-698.84%-687M
-104.04%-86M
344.48%2.13B
935.18%1.43B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
Unqualified Opinion with Explanatory Notes
Unqualified Opinion with Explanatory Notes
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
--
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(Q4)Jun 30, 2016
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 57.32%15.65B43.67%9.95B-24.57%6.92B94.35%9.18B0.94%4.72B20.47%4.68B2.10%3.88B-17.56%3.8B113.69%4.61B379.49%2.65B
Net income from continuing operations 78.17%11.77B724.39%6.61B-116.58%-1.06B1,172.61%6.38B78.33%-595M41.66%-2.75B-3,080.41%-4.71B-109.18%-148M130.14%1.61B----
Operating gains losses -398.00%-1.34B211.81%449M106.53%144M-213.03%-2.2B381.79%1.95B-183.68%-692M271.93%827M-241.41%-481M-59.82%340.14M----
Depreciation and amortization 34.39%4.64B-6.22%3.45B-5.00%3.68B10.52%3.88B-13.47%3.51B57.74%4.05B2.02%2.57B14.32%2.52B-16.85%2.2B----
Other non cash items 37.10%994M226.58%725M189.52%222M-145.50%-248M38.68%545M736.17%393M116.79%47M-289.34%-280M-53.64%147.89M387.29%2.81B
Change In working capital 107.57%24M-99.37%-317M-126.90%-159M207.85%591M-27,300.00%-548M97.75%-2M67.40%-89M-202.56%-273M642.44%266.19M----
-Change in receivables 58.85%-258M-3,085.71%-627M106.19%21M2.87%-339M-1,190.63%-349M130.19%32M74.08%-106M-330.47%-409M44.65%177.46M----
-Change in inventory 83.77%-50M-32.76%-308M-527.03%-232M75.33%-37M-70.45%-150M74.93%-88M-1,562.50%-351M-67.54%24M--73.94M----
-Change in payables and accrued expense -46.28%332M1,088.46%618M-94.62%52M2,073.47%967M-190.74%-49M-85.33%54M228.57%368M657.34%112M108.61%14.79M----
Cash from discontinued investing activities
Operating cash flow 57.32%15.65B43.67%9.95B-24.57%6.92B94.35%9.18B0.94%4.72B20.47%4.68B2.10%3.88B-17.56%3.8B113.69%4.61B379.49%2.65B
Investing cash flow
Cash flow from continuing investing activities 21.09%-8.36B-70.90%-10.6B26.75%-6.2B-137.89%-8.46B25.83%-3.56B40.59%-4.8B-138.69%-8.08B-27.09%-3.38B14.24%-2.66B-93.28%-1.38B
Net PPE purchase and sale -10.53%-8.39B-22.68%-7.59B-20.64%-6.19B-42.21%-5.13B28.28%-3.61B-10.33%-5.03B-18.50%-4.56B-54.88%-3.85B17.34%-2.48B-67.53%-1.21B
Net intangibles purchase and sale ---------------------------9M--0--0----
Net business purchase and sale 96.40%-108M---3B--0-5,738.98%-3.33B84.38%59M100.92%32M-856.86%-3.47B--459M--0----
Net other investing changes 2,450.00%141M40.00%-6M28.57%-10M12.50%-14M-109.30%-16M637.50%172M-633.33%-32M103.38%6M-106.64%-177.46M-1,425.95%-162.67M
Cash from discontinued investing activities
Investing cash flow 21.09%-8.36B-70.90%-10.6B26.75%-6.2B-137.89%-8.46B25.83%-3.56B40.59%-4.8B-138.69%-8.08B-27.09%-3.38B14.24%-2.66B-93.28%-1.38B
Financing cash flow
Cash flow from continuing financing activities -555.19%-5.44B203.74%1.19B73.23%-1.15B-199.86%-4.3B1,032.89%4.31B-89.79%380M927.33%3.72B73.31%-450M-1,016.11%-1.69B-264.37%-887.31M
Net issuance payments of debt -396.22%-3.99B286.96%1.35B80.03%-721M-528.74%-3.61B398.22%842M-94.12%169M26,227.27%2.87B99.35%-11M-1,016.11%-1.69B-264.37%-887.31M
Net common stock issuance ----------------1,542.65%3.47B-78.96%211M--1B--0--0----
Cash dividends paid -833.12%-1.44B64.19%-154M37.13%-430M-22,700.00%-684M---3M--064.92%-154M---439M--0----
Net other financing activities ---5M-----------5M------------------------
Cash from discontinued financing activities
Financing cash flow -555.19%-5.44B203.74%1.19B73.23%-1.15B-199.86%-4.3B1,032.89%4.31B-89.79%380M927.33%3.72B73.31%-450M-1,016.11%-1.69B-264.37%-887.31M
Net cash flow
Beginning cash position 17.12%2.87B-13.16%2.45B-55.66%2.82B540.18%6.36B40.65%993M-43.34%706M-0.80%1.25B-3.49%1.26B-38.33%1.3B16.38%828.16M
Current changes in cash 239.56%1.85B227.87%546M88.09%-427M-165.52%-3.58B1,987.79%5.47B155.98%262M-1,513.79%-468M-110.89%-29M135.00%266.19M1.10%384.5M
Effect of exchange rate changes 77.95%-28M-326.79%-127M21.74%56M143.40%46M-524.00%-106M134.72%25M-478.95%-72M106.12%19M-15.06%-310.56M461.62%44.37M
End cash Position 63.69%4.69B17.12%2.87B-13.16%2.45B-55.66%2.82B540.18%6.36B40.65%993M-43.34%706M-0.88%1.25B16.43%1.26B16.43%1.26B
Free cash flow 214.21%7.25B225.07%2.31B-82.41%710M262.71%4.04B411.76%1.11B48.03%-357M-698.84%-687M-104.04%-86M344.48%2.13B935.18%1.43B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory NotesUnqualified OpinionUnqualified OpinionUnqualified Opinion--

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